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Freek has worked in the financial industry for more than 10 years. In his career, he was employed in different finance and risk functions, both locally and on a group level, within Dutch insurance companies Aegon and NN Group.
In his roles, he has worked on Asset-Liability Management (ALM) managing interest rate, inflation, currency and liquidity risk; optimised balance sheets via Strategic Asset Allocations (SAA), reinsurance transactions and portfolio and capital restructuring; building and developing models for Economic Capital and Solvency II; illiquidity premium implementation for IFRS 17; implementing hedge strategies; and participating in different merger and acquisition projects (M&A).